We are live on ! Find out more
Y

Alleghany Corp

Delisted

Y was delisted on the 18th of October, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$601M +$17.7M +33,865 +3%
Franklin Resources
2
Franklin Resources
California
$367M +$2.46M +4,711 +0.7%
BFA
3
BlackRock Fund Advisors
California
$354M +$13.6M +26,160 +4%
First Eagle Investment Management
4
First Eagle Investment Management
New York
$332M +$24M +46,129 +8%
Boston Partners
5
Boston Partners
Massachusetts
$328M +$18.4M +35,258 +6%
State Street
6
State Street
Massachusetts
$321M +$849K +1,629 +0.3%
BIT
7
BlackRock Institutional Trust
California
$289M +$10.1M +19,327 +4%
Wellington Management Group
8
Wellington Management Group
Massachusetts
$275M -$32.1M -61,637 -11%
Artisan Partners
9
Artisan Partners
Wisconsin
$258M -$25.7M -49,381 -10%
Bank of New York Mellon
10
Bank of New York Mellon
New York
$234M -$20.9M -40,155 -9%
JP Morgan Chase
11
JP Morgan Chase
New York
$197M -$10.4M -19,873 -5%
LCOV
12
London Company of Virginia
Virginia
$130M -$1.69M -3,250 -1%
KP
13
Kiltearn Partners
United Kingdom
$125M -$12.4M -23,700 -9%
Victory Capital Management
14
Victory Capital Management
Texas
$112M +$22.4M +42,954 +27%
FPA
15
First Pacific Advisors
California
$108M -$503K -964 -0.5%
RA
16
Royce & Associates
New York
$100M +$104K +200 +0.1%
Principal Financial Group
17
Principal Financial Group
Iowa
$91.8M -$2.25M -4,308 -3%
FPP
18
Findlay Park Partners
United Kingdom
$91.8M -$43.1M -82,739 -33%
TSW
19
Thompson Siegel & Walmsley
Virginia
$90.7M -$6.27M -12,022 -7%
PNC Financial Services Group
20
PNC Financial Services Group
Pennsylvania
$87.8M +$731K +1,402 +0.9%
Northern Trust
21
Northern Trust
Illinois
$82.1M +$2.71M +5,196 +4%
MAMU
22
Marathon Asset Management (UK)
United Kingdom
$81.4M +$1.38M +2,645 +2%
Norges Bank
23
Norges Bank
Norway
$80.4M +$6.35M +12,184 +9%
APG Asset Management
24
APG Asset Management
Netherlands
$76.5M +$1.3M +2,500 +2%
Dimensional Fund Advisors
25
Dimensional Fund Advisors
Texas
$70.6M -$1.88M -3,601 -3%